the Wealth industry is seeking a Compliance Administrator to mitigate risk for the company by ensuring
the Wealth industry is seeking a Compliance Administrator to mitigate risk for the company by ensuring
20 outlets of a popular brand as a Financial Accountant. Are you SAIPA / SAICA registered and are you management reports compiled by the junior financial accountant. Review monthly and weekly payments to suppliers
20 outlets of a popular brand as a Financial Accountant. Are you SAIPA / SAICA registered and are you management reports compiled by the junior financial accountant. Review monthly and weekly payments to suppliers
Financial Accountant to join the Finance & Operations team, responsible for managing accounting transactions transactions and preparing management accounts for the group's largest entity. Reporting to the Financial transactional processing Responsible for VAT recons, Accounts Payable & Intercompany transactions Maintain Manager with ad hoc tasks Prepare monthly Management Accounts Ensure compliance with all taxation, statutory finance/audit/advisory Experience with preparing management accounts and financial statements Proficiency in MS Office
invoices Balance sheet (including key supplier account) reconciliations Month-end journals and reporting Compiling month-end management packs Analyse GL accounts Preparation of monthly VAT returns Prepare, review Senior Accountant and CFO where needed Requirements: BCom Accounting, Diploma in Finance/ Accounting or similar industry will be beneficial Working knowledge on accounting software such as Pastel, Sage, Xero or the like understanding of basic accounting principles and procedures Proficient in using accounting software and Excel
seeks a self-starter and energetic Financial Accountant to join the finance team within the retail industry background. You will be responsible for various accounting functions for multiple companies within the Group apply now Responsibilities: Manage the Finance Administration team AP and AR reviews Review of Cashbook recons Reconciliation for review Prepare and review Management Accounts Oversee and manage stock count process Review recovery Requirements: BCom Degree in Accounting or Management Accounting Minimum of 3 years' experience managing
exciting opportunity is available for a dynamic accountant to manage multiple entities within a company with a passion for accounting, send me your CV today Responsibilities: Keep the accounts up to date Manage and all other general accounting functions Prepare monthly management accounts Analysis and reporting for co-ordination of audits Responsible for administration of creditors payments Stakeholder liaison and ad-hoc duties as needed Requirements: BCom in Accounting SAIPA articled with a minimum of 3 years of experience
client based in the Northern Suburbs is seeking an Accountant to join their team and become part of their successful Maintaining accurate and up-to-date records in accounting system Reconciling staff expense reports for Processing the expense report journals in the accounting system (DBC) Regularly maintaining the Fixed Maintaining accurate and up-to-date records in the accounting system, for internal use and external insurance distribute to sales team Escalating potential bad debt accounts to management Proactively investigate and resolve
bank function which includes reconciliation and accounting for all retail store receipts (cash deposits reconciling items. If you have an understanding of Accounting and have been in a similar role, please don't cashbooks, store controls and other associated control accounts Submitting monthly turnover declarations for turnover assignments as needed Requirements: Qualification: Accounting knowledge and background Experience: Minimum